v3.25.2
Shareholder Report
6 Months Ended
Apr. 30, 2025
USD ($)
Holding
Shareholder Report [Line Items]  
Document Type N-CSRS
Amendment Flag false
Registrant Name Prudential World Fund, Inc.
Entity Central Index Key 0000741350
Entity Investment Company Type N-1A
Document Period End Date Apr. 30, 2025
PGIM JENNISON EMERGING MARKETS EQUITY OPPORTUNITIES FUND - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Emerging Markets Equity Opportunities Fund
Class Name Class A
Trading Symbol PDEAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Jennison Emerging Markets Equity
Opportunities Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Emerging Markets Equity
Opportunities Fund—Class A
$63
1.30%
Expenses Paid, Amount $ 63
Expense Ratio, Percent 1.30%
Net Assets $ 614,002,216
Holdings Count | Holding 40
Investment Company, Portfolio Turnover 67.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
614,002,216
Number of fund holdings
40
Portfolio turnover rate for the period
67%
Holdings [Text Block]
WHAT ARE
SOME
CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Banks
13.4%
Interactive Media & Services
12.5%
Affiliated Mutual Fund - Short-Term Investment
(11.1% represents investments purchased with
collateral from securities on loan)
11.9%
Semiconductors & Semiconductor Equipment
9.9%
Hotels, Restaurants & Leisure
8.7%
Automobiles
7.8%
Capital Markets
7.7%
Aerospace & Defense
5.7%
Broadline Retail
5.5%
Textiles, Apparel & Luxury Goods
5.0%
Technology Hardware, Storage & Peripherals
4.9%
Industry Classification
% of Net
Assets
Real Estate Management & Development
4.0%
Biotechnology
3.7%
Wireless Telecommunication Services
2.5%
Entertainment
2.2%
Health Care Equipment & Supplies
2.0%
Metals & Mining
1.8%
Electrical Equipment
1.2%
Machinery
0.8%
 
111.2%
Liabilities in excess of other assets
(11.2)%
 
100.0%
PGIM JENNISON EMERGING MARKETS EQUITY OPPORTUNITIES FUND - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Emerging Markets Equity Opportunities Fund
Class Name Class C
Trading Symbol PDECX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Jennison Emerging Markets Equity
Opportunities Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Emerging Markets Equity
Opportunities Fund—Class C
$99
2.05%
Expenses Paid, Amount $ 99
Expense Ratio, Percent 2.05%
Net Assets $ 614,002,216
Holdings Count | Holding 40
Investment Company, Portfolio Turnover 67.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
614,002,216
Number of fund holdings
40
Portfolio turnover rate for the period
67%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Banks
13.4%
Interactive Media & Services
12.5%
Affiliated Mutual Fund - Short-Term Investment
(11.1% represents investments purchased with
collateral from securities on loan)
11.9%
Semiconductors & Semiconductor Equipment
9.9%
Hotels, Restaurants & Leisure
8.7%
Automobiles
7.8%
Capital Markets
7.7%
Aerospace & Defense
5.7%
Broadline Retail
5.5%
Textiles, Apparel & Luxury Goods
5.0%
Technology Hardware, Storage & Peripherals
4.9%
Industry Classification
% of Net
Assets
Real Estate Management & Development
4.0%
Biotechnology
3.7%
Wireless Telecommunication Services
2.5%
Entertainment
2.2%
Health Care Equipment & Supplies
2.0%
Metals & Mining
1.8%
Electrical Equipment
1.2%
Machinery
0.8%
 
111.2%
Liabilities in excess of other assets
(11.2)%
 
100.0%
PGIM JENNISON EMERGING MARKETS EQUITY OPPORTUNITIES FUND - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Emerging Markets Equity Opportunities Fund
Class Name Class Z
Trading Symbol PDEZX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Jennison Emerging Markets Equity
Opportunities Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Emerging Markets Equity
Opportunities Fund—Class Z
$51
1.05%
Expenses Paid, Amount $ 51
Expense Ratio, Percent 1.05%
Net Assets $ 614,002,216
Holdings Count | Holding 40
Investment Company, Portfolio Turnover 67.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
614,002,216
Number of fund holdings
40
Portfolio turnover rate for the period
67%
Holdings [Text Block]
WHAT
ARE
SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Banks
13.4%
Interactive Media & Services
12.5%
Affiliated Mutual Fund - Short-Term Investment
(11.1% represents investments purchased with
collateral from securities on loan)
11.9%
Semiconductors & Semiconductor Equipment
9.9%
Hotels, Restaurants & Leisure
8.7%
Automobiles
7.8%
Capital Markets
7.7%
Aerospace & Defense
5.7%
Broadline Retail
5.5%
Textiles, Apparel & Luxury Goods
5.0%
Technology Hardware, Storage & Peripherals
4.9%
Industry Classification
% of Net
Assets
Real Estate Management & Development
4.0%
Biotechnology
3.7%
Wireless Telecommunication Services
2.5%
Entertainment
2.2%
Health Care Equipment & Supplies
2.0%
Metals & Mining
1.8%
Electrical Equipment
1.2%
Machinery
0.8%
 
111.2%
Liabilities in excess of other assets
(11.2)%
 
100.0%
PGIM JENNISON EMERGING MARKETS EQUITY OPPORTUNITIES FUND - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Emerging Markets Equity Opportunities Fund
Class Name Class R6
Trading Symbol PDEQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Jennison Emerging Markets Equity
Opportunities Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Emerging Markets Equity
Opportunities Fund—Class R6
$48
0.98%
Expenses Paid, Amount $ 48
Expense Ratio, Percent 0.98%
Net Assets $ 614,002,216
Holdings Count | Holding 40
Investment Company, Portfolio Turnover 67.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
614,002,216
Number of fund holdings
40
Portfolio turnover rate for the period
67%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Banks
13.4%
Interactive Media & Services
12.5%
Affiliated Mutual Fund - Short-Term Investment
(11.1% represents investments purchased with
collateral from securities on loan)
11.9%
Semiconductors & Semiconductor Equipment
9.9%
Hotels, Restaurants & Leisure
8.7%
Automobiles
7.8%
Capital Markets
7.7%
Aerospace & Defense
5.7%
Broadline Retail
5.5%
Textiles, Apparel & Luxury Goods
5.0%
Technology Hardware, Storage & Peripherals
4.9%
Industry Classification
% of Net
Assets
Real Estate Management & Development
4.0%
Biotechnology
3.7%
Wireless Telecommunication Services
2.5%
Entertainment
2.2%
Health Care Equipment & Supplies
2.0%
Metals & Mining
1.8%
Electrical Equipment
1.2%
Machinery
0.8%
 
111.2%
Liabilities in excess of other assets
(11.2)%
 
100.0%
PGIM Jennison Global Infrastructure Fund - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Infrastructure Fund
Class Name Class A
Trading Symbol PGJAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Jennison Global Infrastructure Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Infrastructure Fund—Class A
$77
1.50%
Expenses Paid, Amount $ 77
Expense Ratio, Percent 1.50%
Net Assets $ 44,444,113
Holdings Count | Holding 52
Investment Company, Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND
STATISTICS
AS OF 4/30/2025?
Fund’s net assets
$
44,444,113
Number of fund holdings
52
Portfolio turnover rate for the period
49%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Electric Utilities
28.5%
Multi-Utilities
19.1%
Transportation Infrastructure
12.8%
Oil, Gas & Consumable Fuels
10.3%
Construction & Engineering
8.2%
Ground Transportation
6.7%
Specialized REITs
5.0%
Affiliated Mutual Fund - Short-Term Investment
(2.1% represents investments purchased with
collateral from securities on loan)
3.5%
Industry Classification
% of Net
Assets
Water Utilities
3.0%
Gas Utilities
2.1%
Commercial Services & Supplies
2.0%
Independent Power & Renewable Electricity
Producers
1.1%
 
102.3%
Liabilities in excess of other assets
(2.3)%
 
100.0%
PGIM Jennison Global Infrastructure Fund - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Infrastructure Fund
Class Name Class C
Trading Symbol PGJCX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Jennison Global Infrastructure Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Infrastructure Fund—Class C
$115
2.25%
Expenses Paid, Amount $ 115
Expense Ratio, Percent 2.25%
Net Assets $ 44,444,113
Holdings Count | Holding 52
Investment Company, Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
44,444,113
Number of fund holdings
52
Portfolio turnover rate for the period
49%
Holdings [Text Block]
WHAT ARE SOME
CHARACTERISTICS
OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Electric Utilities
28.5%
Multi-Utilities
19.1%
Transportation Infrastructure
12.8%
Oil, Gas & Consumable Fuels
10.3%
Construction & Engineering
8.2%
Ground Transportation
6.7%
Specialized REITs
5.0%
Affiliated Mutual Fund - Short-Term Investment
(2.1% represents investments purchased with
collateral from securities on loan)
3.5%
Industry Classification
% of Net
Assets
Water Utilities
3.0%
Gas Utilities
2.1%
Commercial Services & Supplies
2.0%
Independent Power & Renewable Electricity
Producers
1.1%
 
102.3%
Liabilities in excess of other assets
(2.3)%
 
100.0%
PGIM Jennison Global Infrastructure Fund - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Infrastructure Fund
Class Name Class Z
Trading Symbol PGJZX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Jennison Global Infrastructure Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Infrastructure Fund—Class Z
$60
1.17%
Expenses Paid, Amount $ 60
Expense Ratio, Percent 1.17%
Net Assets $ 44,444,113
Holdings Count | Holding 52
Investment Company, Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
WHAT ARE
SOME
KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
44,444,113
Number of fund holdings
52
Portfolio turnover rate for the period
49%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Electric Utilities
28.5%
Multi-Utilities
19.1%
Transportation Infrastructure
12.8%
Oil, Gas & Consumable Fuels
10.3%
Construction & Engineering
8.2%
Ground Transportation
6.7%
Specialized REITs
5.0%
Affiliated Mutual Fund - Short-Term Investment
(2.1% represents investments purchased with
collateral from securities on loan)
3.5%
Industry Classification
% of Net
Assets
Water Utilities
3.0%
Gas Utilities
2.1%
Commercial Services & Supplies
2.0%
Independent Power & Renewable Electricity
Producers
1.1%
 
102.3%
Liabilities in excess of other assets
(2.3)%
 
100.0%
PGIM Jennison Global Infrastructure Fund - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Infrastructure Fund
Class Name Class R6
Trading Symbol PGJQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Jennison Global Infrastructure Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Infrastructure Fund—Class
R6
$60
1.17%
Expenses Paid, Amount $ 60
Expense Ratio, Percent 1.17%
Net Assets $ 44,444,113
Holdings Count | Holding 52
Investment Company, Portfolio Turnover 49.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME
KEY
FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
44,444,113
Number of fund holdings
52
Portfolio turnover rate for the period
49%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Electric Utilities
28.5%
Multi-Utilities
19.1%
Transportation Infrastructure
12.8%
Oil, Gas & Consumable Fuels
10.3%
Construction & Engineering
8.2%
Ground Transportation
6.7%
Specialized REITs
5.0%
Affiliated Mutual Fund - Short-Term Investment
(2.1% represents investments purchased with
collateral from securities on loan)
3.5%
Industry Classification
% of Net
Assets
Water Utilities
3.0%
Gas Utilities
2.1%
Commercial Services & Supplies
2.0%
Independent Power & Renewable Electricity
Producers
1.1%
 
102.3%
Liabilities in excess of other assets
(2.3)%
 
100.0%
PGIM Jennison Global Opportunities Fund - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Opportunities Fund
Class Name Class A
Trading Symbol PRJAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Jennison Global Opportunities Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Opportunities Fund—Class A
$52
1.08%
Expenses Paid, Amount $ 52
Expense Ratio, Percent 1.08%
Net Assets $ 6,073,928,485
Holdings Count | Holding 41
Investment Company, Portfolio Turnover 75.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
6,073,928,485
Number of fund holdings
41
Portfolio turnover rate for the period
75%
Holdings [Text Block]
WHAT ARE
SOME
CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
16.7%
Entertainment
12.0%
Affiliated Mutual Fund - Short-Term Investment
(4.3% represents investments purchased with
collateral from securities on loan)
9.0%
Textiles, Apparel & Luxury Goods
8.7%
Technology Hardware, Storage & Peripherals
8.1%
Pharmaceuticals
7.1%
Automobiles
6.7%
Broadline Retail
6.4%
Specialty Retail
5.5%
Interactive Media & Services
4.9%
Consumer Staples Distribution & Retail
3.0%
Industry Classification
% of Net
Assets
Personal Care Products
3.0%
Biotechnology
2.7%
IT Services
2.4%
Semiconductors & Semiconductor Equipment
2.4%
Hotels, Restaurants & Leisure
2.2%
Health Care Equipment & Supplies
1.5%
Banks
1.2%
Construction & Engineering
0.9%
 
104.4%
Liabilities in excess of other assets
(4.4)%
 
100.0%
PGIM Jennison Global Opportunities Fund - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Opportunities Fund
Class Name Class C
Trading Symbol PRJCX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Jennison Global Opportunities Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Opportunities Fund—Class C
$92
1.92%
Expenses Paid, Amount $ 92
Expense Ratio, Percent 1.92%
Net Assets $ 6,073,928,485
Holdings Count | Holding 41
Investment Company, Portfolio Turnover 75.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
6,073,928,485
Number of fund holdings
41
Portfolio turnover rate for the period
75%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
16.7%
Entertainment
12.0%
Affiliated Mutual Fund - Short-Term Investment
(4.3% represents investments purchased with
collateral from securities on loan)
9.0%
Textiles, Apparel & Luxury Goods
8.7%
Technology Hardware, Storage & Peripherals
8.1%
Pharmaceuticals
7.1%
Automobiles
6.7%
Broadline Retail
6.4%
Specialty Retail
5.5%
Interactive Media & Services
4.9%
Consumer Staples Distribution & Retail
3.0%
Industry Classification
% of Net
Assets
Personal Care Products
3.0%
Biotechnology
2.7%
IT Services
2.4%
Semiconductors & Semiconductor Equipment
2.4%
Hotels, Restaurants & Leisure
2.2%
Health Care Equipment & Supplies
1.5%
Banks
1.2%
Construction & Engineering
0.9%
 
104.4%
Liabilities in excess of other assets
(4.4)%
 
100.0%
PGIM Jennison Global Opportunities Fund - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Opportunities Fund
Class Name Class Z
Trading Symbol PRJZX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Jennison Global Opportunities Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Opportunities Fund—Class Z
$45
0.93%
Expenses Paid, Amount $ 45
Expense Ratio, Percent 0.93%
Net Assets $ 6,073,928,485
Holdings Count | Holding 41
Investment Company, Portfolio Turnover 75.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
6,073,928,485
Number of fund holdings
41
Portfolio turnover rate for the period
75%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
16.7%
Entertainment
12.0%
Affiliated Mutual Fund - Short-Term Investment
(4.3% represents investments purchased with
collateral from securities on loan)
9.0%
Textiles, Apparel & Luxury Goods
8.7%
Technology Hardware, Storage & Peripherals
8.1%
Pharmaceuticals
7.1%
Automobiles
6.7%
Broadline Retail
6.4%
Specialty Retail
5.5%
Interactive Media & Services
4.9%
Consumer Staples Distribution & Retail
3.0%
Industry Classification
% of Net
Assets
Personal Care Products
3.0%
Biotechnology
2.7%
IT Services
2.4%
Semiconductors & Semiconductor Equipment
2.4%
Hotels, Restaurants & Leisure
2.2%
Health Care Equipment & Supplies
1.5%
Banks
1.2%
Construction & Engineering
0.9%
 
104.4%
Liabilities in excess of other assets
(4.4)%
 
100.0%
PGIM Jennison Global Opportunities Fund - Class R2  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Opportunities Fund
Class Name Class R2
Trading Symbol PRJBX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R2 shares of PGIM Jennison Global Opportunities Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Opportunities Fund—Class
R2
$65
1.34%
Expenses Paid, Amount $ 65
Expense Ratio, Percent 1.34%
Net Assets $ 6,073,928,485
Holdings Count | Holding 41
Investment Company, Portfolio Turnover 75.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
6,073,928,485
Number of fund holdings
41
Portfolio turnover rate for the period
75%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
16.7%
Entertainment
12.0%
Affiliated Mutual Fund - Short-Term Investment
(4.3% represents investments purchased with
collateral from securities on loan)
9.0%
Textiles, Apparel & Luxury Goods
8.7%
Technology Hardware, Storage & Peripherals
8.1%
Pharmaceuticals
7.1%
Automobiles
6.7%
Broadline Retail
6.4%
Specialty Retail
5.5%
Interactive Media & Services
4.9%
Consumer Staples Distribution & Retail
3.0%
Industry Classification
% of Net
Assets
Personal Care Products
3.0%
Biotechnology
2.7%
IT Services
2.4%
Semiconductors & Semiconductor Equipment
2.4%
Hotels, Restaurants & Leisure
2.2%
Health Care Equipment & Supplies
1.5%
Banks
1.2%
Construction & Engineering
0.9%
 
104.4%
Liabilities in excess of other assets
(4.4)%
 
100.0%
PGIM Jennison Global Opportunities Fund - Class R4  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Opportunities Fund
Class Name Class R4
Trading Symbol PRJDX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R4 shares of PGIM Jennison Global Opportunities Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Opportunities Fund—Class
R4
$53
1.09%
Expenses Paid, Amount $ 53
Expense Ratio, Percent 1.09%
Net Assets $ 6,073,928,485
Holdings Count | Holding 41
Investment Company, Portfolio Turnover 75.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
6,073,928,485
Number of fund holdings
41
Portfolio turnover rate for the period
75%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
16.7%
Entertainment
12.0%
Affiliated Mutual Fund - Short-Term Investment
(4.3% represents investments purchased with
collateral from securities on loan)
9.0%
Textiles, Apparel & Luxury Goods
8.7%
Technology Hardware, Storage & Peripherals
8.1%
Pharmaceuticals
7.1%
Automobiles
6.7%
Broadline Retail
6.4%
Specialty Retail
5.5%
Interactive Media & Services
4.9%
Consumer Staples Distribution & Retail
3.0%
Industry Classification
% of Net
Assets
Personal Care Products
3.0%
Biotechnology
2.7%
IT Services
2.4%
Semiconductors & Semiconductor Equipment
2.4%
Hotels, Restaurants & Leisure
2.2%
Health Care Equipment & Supplies
1.5%
Banks
1.2%
Construction & Engineering
0.9%
 
104.4%
Liabilities in excess of other assets
(4.4)%
 
100.0%
PGIM Jennison Global Opportunities Fund - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison Global Opportunities Fund
Class Name Class R6
Trading Symbol PRJQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Jennison Global Opportunities Fund (the
“Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison Global Opportunities Fund—Class
R6
$40
0.82%
Expenses Paid, Amount $ 40
Expense Ratio, Percent 0.82%
Net Assets $ 6,073,928,485
Holdings Count | Holding 41
Investment Company, Portfolio Turnover 75.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
6,073,928,485
Number of fund holdings
41
Portfolio turnover rate for the period
75%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
16.7%
Entertainment
12.0%
Affiliated Mutual Fund - Short-Term Investment
(4.3% represents investments purchased with
collateral from securities on loan)
9.0%
Textiles, Apparel & Luxury Goods
8.7%
Technology Hardware, Storage & Peripherals
8.1%
Pharmaceuticals
7.1%
Automobiles
6.7%
Broadline Retail
6.4%
Specialty Retail
5.5%
Interactive Media & Services
4.9%
Consumer Staples Distribution & Retail
3.0%
Industry Classification
% of Net
Assets
Personal Care Products
3.0%
Biotechnology
2.7%
IT Services
2.4%
Semiconductors & Semiconductor Equipment
2.4%
Hotels, Restaurants & Leisure
2.2%
Health Care Equipment & Supplies
1.5%
Banks
1.2%
Construction & Engineering
0.9%
 
104.4%
Liabilities in excess of other assets
(4.4)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class A
Trading Symbol PWJAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class A
$54
1.09%
Expenses Paid, Amount $ 54
Expense Ratio, Percent 1.09%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class C
Trading Symbol PWJCX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class C
$95
1.91%
Expenses Paid, Amount $ 95
Expense Ratio, Percent 1.91%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class R  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class R
Trading Symbol PWJRX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class R
$72
1.45%
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.45%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHAR
ACT
ERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class Z
Trading Symbol PWJZX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class Z
$45
0.90%
Expenses Paid, Amount $ 45
Expense Ratio, Percent 0.90%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class R2  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class R2
Trading Symbol PWJBX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R2 shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class R2
$67
1.34%
Expenses Paid, Amount $ 67
Expense Ratio, Percent 1.34%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class R4  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class R4
Trading Symbol PWJDX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R4 shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class R4
$54
1.09%
Expenses Paid, Amount $ 54
Expense Ratio, Percent 1.09%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Jennison International Opportunities Fund - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Jennison International Opportunities Fund
Class Name Class R6
Trading Symbol PWJQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Jennison International Opportunities Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Jennison International Opportunities Fund—
Class R6
$42
0.84%
Expenses Paid, Amount $ 42
Expense Ratio, Percent 0.84%
Net Assets $ 5,138,902,694
Holdings Count | Holding 35
Investment Company, Portfolio Turnover 54.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
5,138,902,694
Number of fund holdings
35
Portfolio turnover rate for the period
54%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Software
12.6%
Textiles, Apparel & Luxury Goods
11.9%
Aerospace & Defense
11.8%
Affiliated Mutual Fund - Short-Term Investment
(4.4% represents investments purchased with
collateral from securities on loan)
10.2%
Automobiles
7.4%
Hotels, Restaurants & Leisure
6.3%
Entertainment
6.3%
Broadline Retail
5.3%
Technology Hardware, Storage & Peripherals
4.2%
Pharmaceuticals
3.8%
Specialty Retail
3.8%
Personal Care Products
3.1%
Industry Classification
% of Net
Assets
Semiconductors & Semiconductor Equipment
2.9%
Biotechnology
2.5%
Health Care Equipment & Supplies
2.3%
Electronic Equipment, Instruments & Components
2.2%
Financial Services
2.0%
Life Sciences Tools & Services
1.6%
IT Services
1.6%
Banks
1.4%
Electrical Equipment
0.7%
 
103.9%
Liabilities in excess of other assets
(3.9)%
 
100.0%
PGIM Quant Solutions International Equity Fund - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Quant Solutions International Equity Fund
Class Name Class A
Trading Symbol PJRAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Quant Solutions International Equity Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Quant Solutions International Equity Fund—
Class A
$72
1.39%
Expenses Paid, Amount $ 72
Expense Ratio, Percent 1.39%
Net Assets $ 244,231,824
Holdings Count | Holding 399
Investment Company, Portfolio Turnover 59.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
244,231,824
Number of fund holdings
399
Portfolio turnover rate for the period
59%
Holdings [Text Block]
WHAT ARE SOME CHARA
CTER
ISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Affiliated Mutual Fund - Short-Term Investment
(3.7% represents investments purchased with
collateral from securities on loan)
16.6%
Banks
15.2%
Pharmaceuticals
7.3%
Insurance
6.0%
Metals & Mining
5.0%
Semiconductors & Semiconductor Equipment
4.9%
Aerospace & Defense
3.5%
Oil, Gas & Consumable Fuels
3.2%
Unaffiliated Exchange-Traded Funds - Equity
2.9%
Automobiles
2.6%
Capital Markets
2.5%
Consumer Staples Distribution & Retail
2.4%
Diversified Telecommunication Services
2.4%
Specialty Retail
2.3%
Machinery
2.2%
Technology Hardware, Storage & Peripherals
1.9%
Food Products
1.8%
IT Services
1.7%
Electric Utilities
1.6%
Entertainment
1.6%
Construction & Engineering
1.5%
Electrical Equipment
1.4%
Interactive Media & Services
1.4%
Industrial Conglomerates
1.3%
Broadline Retail
1.3%
Automobile Com
po
nents
1.2%
Industry Classification
% of Net
Assets
Real Estate Management & Development
1.2%
Tobacco
1.1%
Wireless Telecommunication Services
1.1%
Household Durables
1.1%
Multi-Utilities
1.1%
Hotels, Restaurants & Leisure
1.1%
Household Products
1.1%
U.S. Treasury Obligations
0.9%
Software
0.8%
Textiles, Apparel & Luxury Goods
0.8%
Passenger Airlines
0.8%
Construction Materials
0.8%
Building Products
0.7%
Communications Equipment
0.7%
Marine Transportation
0.6%
Retail REITs
0.6%
Chemicals
0.6%
Commercial Services & Supplies
0.5%
Electronic Equipment, Instruments & Components
0.5%
Financial Services
0.5%
Others*
2.5%
 
114.8%
Liabilities in excess of other assets
(14.8)%
 
100.0%
*
Consists of Industries that each make up less than 0.5% of the Fund's net assets
PGIM QUANT SOLUTIONS INTERNATIONAL EQUITY FUND - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Quant Solutions International Equity Fund
Class Name Class C
Trading Symbol PJRCX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Quant Solutions International Equity Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Quant Solutions International Equity Fund—
Class C
$139
2.69%
Expenses Paid, Amount $ 139
Expense Ratio, Percent 2.69%
Net Assets $ 244,231,824
Holdings Count | Holding 399
Investment Company, Portfolio Turnover 59.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
244,231,824
Number of fund holdings
399
Portfolio turnover rate for the period
59%
Holdings [Text Block]
WHAT ARE SOME CHA
RACTE
RISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Affiliated Mutual Fund - Short-Term Investment
(3.7% represents investments purchased with
collateral from securities on loan)
16.6%
Banks
15.2%
Pharmaceuticals
7.3%
Insurance
6.0%
Metals & Mining
5.0%
Semiconductors & Semiconductor Equipment
4.9%
Aerospace & Defense
3.5%
Oil, Gas & Consumable Fuels
3.2%
Unaffiliated Exchange-Traded Funds - Equity
2.9%
Automobiles
2.6%
Capital Markets
2.5%
Consumer Staples Distribution & Retail
2.4%
Diversified Telecommunication Services
2.4%
Specialty Retail
2.3%
Machinery
2.2%
Technology Hardware, Storage & Peripherals
1.9%
Food Products
1.8%
IT Services
1.7%
Electric Utilities
1.6%
Entertainment
1.6%
Construction & Engineering
1.5%
Electrical Equipment
1.4%
Interactive Media & Services
1.4%
Industrial Conglomerates
1.3%
Broadline Retail
1.3%
Automobile Components
1.2%
Industry Classification
% of Net
Assets
Real Estate Management & Development
1.2%
Tobacco
1.1%
Wireless Telecommunication Services
1.1%
Household Durables
1.1%
Multi-Utilities
1.1%
Hotels, Restaurants & Leisure
1.1%
Household Products
1.1%
U.S. Treasury Obligations
0.9%
Software
0.8%
Textiles, Apparel & Luxury Goods
0.8%
Passenger Airlines
0.8%
Construction Materials
0.8%
Building Products
0.7%
Communications Equipment
0.7%
Marine Transportation
0.6%
Retail REITs
0.6%
Chemicals
0.6%
Commercial Services & Supplies
0.5%
Electronic Equipment, Instruments & Components
0.5%
Financial Services
0.5%
Others*
2.5%
 
114.8%
Liabilities in excess of other assets
(14.8)%
 
100.0%
*
Consists of In
dustr
ies that each make up less than 0.5% of the Fund's net assets
PGIM QUANT SOLUTIONS INTERNATIONAL EQUITY FUND - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Quant Solutions International Equity Fund
Class Name Class Z
Trading Symbol PJIZX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Quant Solutions International Equity Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Quant Solutions International Equity Fund—
Class Z
$50
0.96%
Expenses Paid, Amount $ 50
Expense Ratio, Percent 0.96%
Net Assets $ 244,231,824
Holdings Count | Holding 399
Investment Company, Portfolio Turnover 59.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
244,231,824
Number of fund holdings
399
Portfolio turnover rate for the period
59%
Holdings [Text Block]
WHAT ARE SOME CHA
RACT
ERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Affiliated Mutual Fund - Short-Term Investment
(3.7% represents investments purchased with
collateral from securities on loan)
16.6%
Banks
15.2%
Pharmaceuticals
7.3%
Insurance
6.0%
Metals & Mining
5.0%
Semiconductors & Semiconductor Equipment
4.9%
Aerospace & Defense
3.5%
Oil, Gas & Consumable Fuels
3.2%
Unaffiliated Exchange-Traded Funds - Equity
2.9%
Automobiles
2.6%
Capital Markets
2.5%
Consumer Staples Distribution & Retail
2.4%
Diversified Telecommunication Services
2.4%
Specialty Retail
2.3%
Machinery
2.2%
Technology Hardware, Storage & Peripherals
1.9%
Food Products
1.8%
IT Services
1.7%
Electric Utilities
1.6%
Entertainment
1.6%
Construction & Engineering
1.5%
Electrical Equipment
1.4%
Interactive Media & Services
1.4%
Industrial Conglomerates
1.3%
Broadline Retail
1.3%
Automobile Components
1.2%
Industry Classification
% of Net
Assets
Real Estate Management & Development
1.2%
Tobacco
1.1%
Wireless Telecommunication Services
1.1%
Household Durables
1.1%
Multi-Utilities
1.1%
Hotels, Restaurants & Leisure
1.1%
Household Products
1.1%
U.S. Treasury Obligations
0.9%
Software
0.8%
Textiles, Apparel & Luxury Goods
0.8%
Passenger Airlines
0.8%
Construction Materials
0.8%
Building Products
0.7%
Communications Equipment
0.7%
Marine Transportation
0.6%
Retail REITs
0.6%
Chemicals
0.6%
Commercial Services & Supplies
0.5%
Electronic Equipment, Instruments & Components
0.5%
Financial Services
0.5%
Others*
2.5%
 
114.8%
Liabilities in excess of other assets
(14.8)%
 
100.0%
*
Consists of Industries that each make up less than 0.5% of the Fund's net assets
PGIM QUANT SOLUTIONS INTERNATIONAL EQUITY FUND - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Quant Solutions International Equity Fund
Class Name Class R6
Trading Symbol PJRQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Quant Solutions International Equity Fund
(the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Quant Solutions International Equity Fund—
Class R6
$41
0.78%
Expenses Paid, Amount $ 41
Expense Ratio, Percent 0.78%
Net Assets $ 244,231,824
Holdings Count | Holding 399
Investment Company, Portfolio Turnover 59.00%
Additional Fund Statistics [Text Block]
WHAT ARE SO
M
E KEY FUND STATI
ST
ICS AS OF 4/30/2025?
Fund’s net assets
$
244,231,824
Number of fund holdings
399
Portfolio turnover rate for the period
59%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Industry Classification
% of Net
Assets
Affiliated Mutual Fund - Short-Term Investment
(3.7% represents investments purchased with
collateral from securities on loan)
16.6%
Banks
15.2%
Pharmaceuticals
7.3%
Insurance
6.0%
Metals & Mining
5.0%
Semiconductors & Semiconductor Equipment
4.9%
Aerospace & Defense
3.5%
Oil, Gas & Consumable Fuels
3.2%
Unaffiliated Exchange-Traded Funds - Equity
2.9%
Automobiles
2.6%
Capital Markets
2.5%
Consumer Staples Distribution & Retail
2.4%
Diversified Telecommunication Services
2.4%
Specialty Retail
2.3%
Machinery
2.2%
Technology Hardware, Storage & Peripherals
1.9%
Food Products
1.8%
IT Services
1.7%
Electric Utilities
1.6%
Entertainment
1.6%
Construction & Engineering
1.5%
Electrical Equipment
1.4%
Interactive Media & Services
1.4%
Industrial Conglomerates
1.3%
Broadline Retail
1.3%
Automobile Components
1.2%
Industry Classification
% of Net
Assets
Real Estate Management & Development
1.2%
Tobacco
1.1%
Wireless Telecommunication Services
1.1%
Household Durables
1.1%
Multi-Utilities
1.1%
Hotels, Restaurants & Leisure
1.1%
Household Products
1.1%
U.S. Treasury Obligations
0.9%
Software
0.8%
Textiles, Apparel & Luxury Goods
0.8%
Passenger Airlines
0.8%
Construction Materials
0.8%
Building Products
0.7%
Communications Equipment
0.7%
Marine Transportation
0.6%
Retail REITs
0.6%
Chemicals
0.6%
Commercial Services & Supplies
0.5%
Electronic Equipment, Instruments & Components
0.5%
Financial Services
0.5%
Others*
2.5%
 
114.8%
Liabilities in excess of other assets
(14.8)%
 
100.0%
*
Consists of Industries that each make up less than 0.5% of the Fund's net assets
PGIM Emerging Markets Debt Hard Currency Fund - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Hard Currency Fund
Class Name Class A
Trading Symbol PDHAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Emerging Markets Debt Hard Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Hard Currency
Fund—Class A
$53
1.05%
Expenses Paid, Amount $ 53
Expense Ratio, Percent 1.05%
Net Assets $ 215,127,715
Holdings Count | Holding 708
Investment Company, Portfolio Turnover 15.00%
Additional Fund Statistics [Text Block]
WHAT ARE S
OME
KEY FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
215,127,715
Number of fund holdings
708
Portfolio turnover rate for the period
15%
Holdings [Text Block]
WHAT ARE SOME CHARACTERISTICS OF THE F
UN
D’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
2.2
AA
6.6
A
3.1
BBB
38.0
BB
24.5
B
16.5
CCC
4.9
C
1.1
D
0.3
Not Rated
0.4
Cash/Cash Equivalents
2.4
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Hard Currency Fund - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Hard Currency Fund
Class Name Class C
Trading Symbol PDHCX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Emerging Markets Debt Hard Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Hard Currency
Fund—Class C
$90
1.80%
Expenses Paid, Amount $ 90
Expense Ratio, Percent 1.80%
Net Assets $ 215,127,715
Holdings Count | Holding 708
Investment Company, Portfolio Turnover 15.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND ST
ATI
STICS AS OF 4/30/2025?
Fund’s net assets
$
215,127,715
Number of fund holdings
708
Portfolio turnover rate for the period
15%
Holdings [Text Block]
WHAT ARE SOME CHARAC
TE
RISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
2.2
AA
6.6
A
3.1
BBB
38.0
BB
24.5
B
16.5
CCC
4.9
C
1.1
D
0.3
Not Rated
0.4
Cash/Cash Equivalents
2.4
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Hard Currency Fund - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Hard Currency Fund
Class Name Class Z
Trading Symbol PDHVX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Emerging Markets Debt Hard Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Hard Currency
Fund—Class Z
$35
0.69%
Expenses Paid, Amount $ 35
Expense Ratio, Percent 0.69%
Net Assets $ 215,127,715
Holdings Count | Holding 708
Investment Company, Portfolio Turnover 15.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND STA
TIS
TICS AS OF 4/30/2025?
Fund’s net assets
$
215,127,715
Number of fund holdings
708
Portfolio turnover rate for the period
15%
Holdings [Text Block]
WHAT ARE SOME CHARA
CTERI
STICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
2.2
AA
6.6
A
3.1
BBB
38.0
BB
24.5
B
16.5
CCC
4.9
C
1.1
D
0.3
Not Rated
0.4
Cash/Cash Equivalents
2.4
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Hard Currency Fund - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Hard Currency Fund
Class Name Class R6
Trading Symbol PDHQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Emerging Markets Debt Hard Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Hard Currency
Fund—Class R6
$33
0.65%
Expenses Paid, Amount $ 33
Expense Ratio, Percent 0.65%
Net Assets $ 215,127,715
Holdings Count | Holding 708
Investment Company, Portfolio Turnover 15.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND ST
ATIST
ICS AS OF 4/30/2025?
Fund’s net assets
$
215,127,715
Number of fund holdings
708
Portfolio turnover rate for the period
15%
Holdings [Text Block]
WHAT ARE SOME CHARAC
TERIS
TICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
2.2
AA
6.6
A
3.1
BBB
38.0
BB
24.5
B
16.5
CCC
4.9
C
1.1
D
0.3
Not Rated
0.4
Cash/Cash Equivalents
2.4
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Local Currency Fund - Class A  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Local Currency Fund
Class Name Class A
Trading Symbol EMDAX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class A shares of PGIM Emerging Markets Debt Local Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Local Currency
Fund—Class A
$57
1.13%
Expenses Paid, Amount $ 57
Expense Ratio, Percent 1.13%
Net Assets $ 35,896,198
Holdings Count | Holding 485
Investment Company, Portfolio Turnover 23.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME
KEY
FUND STATISTICS AS OF 4/30/2025?
Fund’s net assets
$
35,896,198
Number of fund holdings
485
Portfolio turnover rate for the period
23%
Holdings [Text Block]
WHAT ARE SOME CHARACT
ER
ISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
3.3
AA
4.5
A
24.0
BBB
39.5
BB
22.5
Not Rated
(0.4)
Cash/Cash Equivalents
6.6
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Local Currency Fund - Class C  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Local Currency Fund
Class Name Class C
Trading Symbol EMDCX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class C shares of PGIM Emerging Markets Debt Local Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Local Currency
Fund—Class C
$95
1.88%
Expenses Paid, Amount $ 95
Expense Ratio, Percent 1.88%
Net Assets $ 35,896,198
Holdings Count | Holding 485
Investment Company, Portfolio Turnover 23.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND S
TATIS
TICS AS OF 4/30/2025?
Fund’s net assets
$
35,896,198
Number of fund holdings
485
Portfolio turnover rate for the period
23%
Holdings [Text Block]
WHAT ARE SOME CHARA
CTE
RISTICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
3.3
AA
4.5
A
24.0
BBB
39.5
BB
22.5
Not Rated
(0.4)
Cash/Cash Equivalents
6.6
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Local Currency Fund - Class Z  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Local Currency Fund
Class Name Class Z
Trading Symbol EMDZX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class Z shares of PGIM Emerging Markets Debt Local Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Local Currency
Fund—Class Z
$37
0.72%
Expenses Paid, Amount $ 37
Expense Ratio, Percent 0.72%
Net Assets $ 35,896,198
Holdings Count | Holding 485
Investment Company, Portfolio Turnover 23.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND ST
ATIST
ICS AS OF 4/30/2025?
Fund’s net assets
$
35,896,198
Number of fund holdings
485
Portfolio turnover rate for the period
23%
Holdings [Text Block]
WHAT ARE SOME CHARACT
ERI
STICS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
3.3
AA
4.5
A
24.0
BBB
39.5
BB
22.5
Not Rated
(0.4)
Cash/Cash Equivalents
6.6
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.
PGIM Emerging Markets Debt Local Currency Fund - Class R6  
Shareholder Report [Line Items]  
Fund Name PGIM Emerging Markets Debt Local Currency Fund
Class Name Class R6
Trading Symbol EMDQX
Annual or Semi-Annual Statement [Text Block]
This
semiannual shareholder report
contains important information about the Class R6 shares of PGIM Emerging Markets Debt Local Currency
Fund (the “Fund”) for the period of November 1, 2024 to April 30, 2025.
Shareholder Report Annual or Semi-Annual semi-annual shareholder report
Additional Information [Text Block]
You can find additional information about the Fund at
pgim.com/investments/mutual-funds/prospectuses-fact-sheets
. You can also request
this information by contacting us at (800) 225-1852 or (973) 367-3529 from outside the US.
Additional Information Phone Number (800) 225-1852 or (973) 367-3529
Additional Information Website pgim.com/investments/mutual-funds/prospectuses-fact-sheets
Expenses [Text Block]
WHAT WERE THE FUND COSTS FOR THE LAST SIX MONTHS?
(Based on a hypothetical $10,000 investment)
 
Costs of a $10,000 investment
Costs paid as a percentage of a $10,000 investment
PGIM Emerging Markets Debt Local Currency
Fund—Class R6
$33
0.65%
Expenses Paid, Amount $ 33
Expense Ratio, Percent 0.65%
Net Assets $ 35,896,198
Holdings Count | Holding 485
Investment Company, Portfolio Turnover 23.00%
Additional Fund Statistics [Text Block]
WHAT ARE SOME KEY FUND S
TATISTI
CS AS OF 4/30/2025?
Fund’s net assets
$
35,896,198
Number of fund holdings
485
Portfolio turnover rate for the period
23%
Holdings [Text Block]
WHAT ARE SOME CHARACTERI
STI
CS OF THE FUND’S HOLDINGS AS OF 4/30/2025?
Credit Quality expressed as a percentage of total investments as of 4/30/2025 (%)
AAA
3.3
AA
4.5
A
24.0
BBB
39.5
BB
22.5
Not Rated
(0.4)
Cash/Cash Equivalents
6.6
Total
100.0
Credit Ratings Selection [Text Block]
Credit ratings reflect the highest rating assigned by a nationally recognized statistical rating organization (NRSRO) such as Moody’s Investors Service, Inc. (Moody’s), S&P Global
Ratings (S&P), or Fitch Ratings, Inc. (Fitch). Credit ratings reflect the common nomenclature used by both S&P and Fitch. Where applicable, ratings are converted to the comparable
S&P/Fitch rating tier nomenclature. The Not Rated category consists of securities that have not been rated by an NRSRO. Credit ratings are subject to change.